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Morgan Stanley – ‘10-K’ for 12/31/11 – ‘EX-4.4’

On:  Monday, 2/27/12, at 4:49pm ET   ·   For:  12/31/11   ·   Accession #:  1193125-12-81807   ·   File #:  1-11758

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  As Of               Filer                 Filing    For·On·As Docs:Size             Issuer                      Filing Agent

 2/27/12  Morgan Stanley                    10-K       12/31/11  194:48M                                    Donnelley … Solutions/FA

Annual Report   —   Form 10-K   —   Sect. 13 / 15(d) – SEA’34
Filing Table of Contents

Document/Exhibit                   Description                      Pages   Size 

 1: 10-K        Annual Report                                       HTML   4.51M 
 2: EX-4.4      Seventh Supplemental Senior Indenture, Dated as of  HTML    103K 
                November 21, 2011                                                
 3: EX-10.1     Amended and Restated Trust Agreement Dated as of    HTML    134K 
                October 18, 2011                                                 
 6: EX-10.58    Senior Advisor Arrangement With John J. Mack,       HTML     58K 
                Effective January 1, 2012                                        
 7: EX-10.59    Morgan Stanley Schedule of Non-Employee Directors   HTML     62K 
                Annual Compensation                                              
 8: EX-10.60    Strategic Equity Investment Plan, Amended and       HTML    127K 
                Restated as of January 1, 2009                                   
 4: EX-10.7     Amendment to Morgan Stanley 401(K) Plan, Dated as   HTML     59K 
                of December 23, 2011                                             
 5: EX-10.9     Amendment to Morgan Stanley 401(K) Savings Plan,    HTML     59K 
                Dated as of December 23, 2011                                    
10: EX-21       Subsidiaries of Morgan Stanley                      HTML    452K 
11: EX-23.1     Consent of Deloitte & Touche LLP                    HTML     64K 
 9: EX-12       Statement Re: Computation of Ratio of Earnings to   HTML     93K 
                Fixed Charges                                                    
12: EX-31.1     Rule 13A-14(A) Certification of Chief Executive     HTML     60K 
                Officer                                                          
13: EX-31.2     Rule 13A-14(A) Certification of Chief Financial     HTML     60K 
                Officer                                                          
14: EX-32.1     Section 1350 Certification of Chief Executive       HTML     57K 
                Officer                                                          
15: EX-32.2     Section 1350 Certification of Chief Financial       HTML     57K 
                Officer.                                                         
133: R1          Document and Entity Information                     HTML     87K  
96: R2          Condensed Consolidated Statements Of Financial      HTML    286K 
                Condition                                                        
122: R3          Condensed Consolidated Statements Of Financial      HTML    136K  
                Condition (Parenthetical)                                        
139: R4          Condensed Consolidated Statements Of Income         HTML    250K  
176: R5          Condensed Consolidated Statements Of Comprehensive  HTML    114K  
                Income                                                           
101: R6          Condensed Consolidated Statements Of Comprehensive  HTML     74K  
                Income (Parenthetical)                                           
121: R7          Consolidated Statements of Cash Flows               HTML    246K  
87: R8          Consolidated Statements of Cash Flows               HTML     64K 
                (Parenthetical)                                                  
72: R9          Consolidated Statements of Changes in Total Equity  HTML    163K 
178: R10         Introduction and Basis of Presentation              HTML     96K  
141: R11         Significant Accounting Policies                     HTML    143K  
140: R12         Morgan Stanley Smith Barney Holdings LLC            HTML    117K  
151: R13         Fair Value Disclosures                              HTML    854K  
152: R14         Securities Available for Sale                       HTML    155K  
146: R15         Collateralized Transactions                         HTML     89K  
154: R16         Variable Interest Entities and Securitization       HTML    329K  
                Activities                                                       
123: R17         Financing Receivables                               HTML     94K  
135: R18         Goodwill and Net Intangible Assets                  HTML    139K  
144: R19         Deposits                                            HTML     74K  
193: R20         Borrowings and Other Secured Financings             HTML    174K  
167: R21         Derivative Instruments and Hedging Activities       HTML    365K  
112: R22         Commitments, Guarantees and Contingencies           HTML    209K  
143: R23         Regulatory Requirements                             HTML    125K  
117: R24         Total Equity                                        HTML    168K  
56: R25         Earnings Per Common Share                           HTML    128K 
169: R26         Interest Income and Interest Expense                HTML     84K  
184: R27         Sale of Bankruptcy Claims Related to a Derivative   HTML     65K  
                Company                                                          
81: R28         Other Revenues                                      HTML     72K 
80: R29         Employee Stock-Based Compensation Plans             HTML    133K 
85: R30         Employee Benefit Plans                              HTML    361K 
86: R31         Income Taxes                                        HTML    167K 
89: R32         Segment and Geographic Information                  HTML    226K 
37: R33         Equity Method Investments                           HTML    109K 
164: R34         Discontinued Operations                             HTML     92K  
108: R35         Parent Company                                      HTML    192K  
113: R36         Quarterly Results                                   HTML    141K  
63: R37         Subsequent Events                                   HTML     66K 
192: R38         Significant Accounting Policies (Policy)            HTML    207K  
22: R39         Morgan Stanley Smith Barney Holdings LLC (Tables)   HTML    113K 
93: R40         Fair Value Disclosures (Tables)                     HTML    785K 
174: R41         Securities Available for Sale (Tables)              HTML    151K  
60: R42         Collateralized Transactions (Tables)                HTML     75K 
79: R43         Variable Interest Entities and Securitization       HTML    282K 
                Activities (Tables)                                              
84: R44         Financing Receivables (Tables)                      HTML     67K 
97: R45         Goodwill and Net Intangible Assets (Tables)         HTML    138K 
36: R46         Deposits (Tables)                                   HTML     70K 
70: R47         Borrowings and Other Secured Financings (Tables)    HTML    163K 
27: R48         Derivative Instruments and Hedging Activities       HTML    334K 
                (Tables)                                                         
172: R49         Commitments, Guarantees and Contingencies (Tables)  HTML    138K  
58: R50         Regulatory Requirements (Tables)                    HTML     94K 
166: R51         Total Equity (Tables)                               HTML    117K  
64: R52         Earnings Per Common Share (Tables)                  HTML    127K 
94: R53         Interest Income and Interest Expense (Tables)       HTML     83K 
25: R54         Other Revenues (Tables)                             HTML     68K 
31: R55         Employee Stock-based Compensation Plans (Tables)    HTML    126K 
83: R56         Employee Benefit Plans (Tables)                     HTML    326K 
44: R57         Income Taxes (Tables)                               HTML    150K 
180: R58         Segment and Geographic Information (Tables)         HTML    226K  
106: R59         Equity Method Investments (Tables)                  HTML     85K  
148: R60         Discontinued Operations (Tables)                    HTML     90K  
69: R61         Parent Company (Tables)                             HTML    178K 
75: R62         Quarterly Results (Tables)                          HTML    137K 
160: R63         Introduction and Basis of Presentation (Details)    HTML    115K  
155: R64         Significant Accounting Policies (Details)           HTML    138K  
111: R65         Morgan Stanley Smith Barney Holdings LLC (Smith     HTML    140K  
                Barney) (Details)                                                
158: R66         Morgan Stanley Smith Barney Holdings LLC (Citi      HTML    103K  
                Managed Futures) (Details)                                       
65: R67         Morgan Stanley Smith Barney Holdings LLC (Pro       HTML    192K 
                forma Condensed Combined Financial Information                   
                Presents Results of Operations if Closing of MSSB                
                and Citi Managed Futures had been Completed)                     
                (Details)                                                        
118: R68         Fair Value Disclosures (Narrative) (Details)        HTML     76K  
183: R69         Fair Value Disclosures (Assets and Liabilities      HTML    384K  
                Measured at Fair Value on a Recurring Basis)                     
                (Details)                                                        
29: R70         Fair Value Disclosures (Changes in Level 3 Assets   HTML    391K 
                and Liabilities Measured at Fair Value on a                      
                Recurring Basis) (Details)                                       
55: R71         Fair Value Disclosures (Fair Value of Investments   HTML    110K 
                that Calculate Net Asset Value) (Details)                        
95: R72         Fair Value Disclosures (Net Gains (Losses) Due to   HTML     68K 
                Changes in Fair Value for Items Measured at Fair                 
                Value Pursuant to the Fair Value Option Election)                
                (Details)                                                        
42: R73         Fair Value Disclosures (Gains (Losses) Due to       HTML     62K 
                Changes in Instrument Specific Credit Risk)                      
                (Details)                                                        
190: R74         Fair Value Disclosures (Amount by Which             HTML     72K  
                Contractual Principal Amount Exceeds Fair Value)                 
                (Details)                                                        
61: R75         Fair Value Disclosures (Assets Measured at Fair     HTML    143K 
                Value on a Nonrecurring Basis) (Details)                         
47: R76         Securities Available for Sale (Schedule of          HTML     87K 
                Available for Sale Securities) (Details)                         
54: R77         Securities Available for Sale (Schedule of          HTML     85K 
                Available for Sale Securities in an Unrealized                   
                Loss Position) (Details)                                         
33: R78         Securities Available for Sale (Schedule of          HTML     97K 
                Amortized Cost and Fair Value of Available for                   
                Sale Debt Securities by Contractual Date)                        
                (Details)                                                        
38: R79         Securities Available for Sale (Schedule of          HTML     67K 
                Proceeds of Sale of Securities Available for Sale)               
                (Details)                                                        
137: R80         Collateralized Transactions (Narrative) (Details)   HTML     69K  
52: R81         Collateralized Transactions (Financial Instruments  HTML     62K 
                Owned That Have Been Loaned Or Pledged To                        
                Counterparties) (Details)                                        
181: R82         Collateralized Transactions (Cash And Securities    HTML     66K  
                Deposited With Clearing Organizations Or                         
                Segregated Under Federal And Other Regulations Or                
                Requirements) (Details)                                          
91: R83         Variable Interest Entities and Securitization       HTML     90K 
                Activities (Narrative) (Details)                                 
145: R84         Variable Interest Entities and Securitization       HTML     63K  
                Activities (Consolidated VIEs) (Details)                         
157: R85         Variable Interest Entities and Securitization       HTML    109K  
                Activities (Non-Consolidated VIEs) (Details)                     
49: R86         Variable Interest Entitiesand Securitization        HTML     93K 
                Activities (Information Regarding SPEs) (Details)                
53: R87         Variable Interest Entities and Securitization       HTML     81K 
                Activities (Fair Value of Assets and Liabilities)                
                (Details)                                                        
177: R88         Variable Interest Entities and Securitization       HTML     64K  
                Activities (Transfers of Assets Treated as Secured               
                Financings) (Details)                                            
43: R89         Variable Interest Entities and Securitization       HTML     77K 
                Activities (Mortgage Servicing Activities for                    
                SPEs) (Details)                                                  
138: R90         Financing Receivables (Narrative) (Details)         HTML     84K  
127: R91         Financing Receivables (Summary of Financing         HTML     66K  
                Receivables) (Details)                                           
162: R92         Goodwill and Net Intangible Assets (Narrative)      HTML     70K  
                (Details)                                                        
126: R93         Goodwill and Net Intangible Assets (Changes in      HTML     84K  
                Carrying Amount of Goodwill) (Details)                           
102: R94         Goodwill and Net Intangible Assets (Changes in      HTML     96K  
                Carrying Amount of Intangible Assets) (Details)                  
171: R95         Goodwill and Net Intangible Assets (Amortizable     HTML     66K  
                Intangible Assets) (Details)                                     
98: R96         Deposits (Narrative) (Details)                      HTML     62K 
62: R97         Deposits (Deposits) (Details)                       HTML     69K 
114: R98         Deposits (Interest Bearing Deposits Maturing over   HTML     72K  
                Next Five Years) (Details)                                       
107: R99         Borrowings and Other Secured Financings             HTML     90K  
                (Narratives) (Details)                                           
82: R100        Borrowings and Other Secured Financings             HTML     72K 
                (Commercial Paper and Other Short-term Borrowings)               
                (Details)                                                        
194: R101        Borrowings and Other Secured Financings (Long-term  HTML    118K  
                Borrowings - Maturities and Terms) (Details)                     
159: R102        Borrowings and Other Secured Financings             HTML     73K  
                (Components of Long-term Borrowings) (Details)                   
124: R103        Borrowings and Other Secured Financings (Effective  HTML     62K  
                Average Borrowing Rate) (Details)                                
35: R104        Borrowings and Other Secured Financings (Other      HTML     62K 
                Secured Financings) (Details)                                    
173: R105        Borrowings and Other Secured Financings (Schedule   HTML    103K  
                of Maturities of Secured Financing) (Details)                    
182: R106        Borrowings and Other Secured Financings (Schedule   HTML     90K  
                of Failed Sales) (Details)                                       
175: R107        Derivative Instruments and Hedging Activities       HTML     94K  
                (Other Disclosures) (Details)                                    
119: R108        Derivative Instruments and Hedging Activities       HTML     64K  
                (Components of Derivative Products) (Details)                    
45: R109        Derivative Instruments and Hedging Activities       HTML     90K 
                (Fair Value of OTC Derivatives in a Gain Position)               
                (Details)                                                        
150: R110        Derivative Instruments aand Hedging Activities      HTML    135K  
                (Fair Value of Derivative Instruments Designated                 
                and Not Designated as Accounting Hedges by Type of               
                Derivative Contract on a Gross Basis) (Details)                  
67: R111        Derivative Instruments and Hedging Activities       HTML     84K 
                (Gains or Losses on Derivative Instruments,                      
                Related Hedge Items and Hedge Ineffectiveness)                   
                (Details)                                                        
24: R112        Derivative Instruments and Hedging Activities       HTML    180K 
                (Notional and Fair Value of Protection Sold and                  
                Purchased through Credit Default Swaps) (Details)                
100: R113        Commitments, Guarantees and Contingencies           HTML    125K  
                (Narrative) (Details)                                            
92: R114        Commitments, Guarantees and Contingencies           HTML    101K 
                (Commitments by Period of Expiration) (Details)                  
168: R115        Commitments, Guarantees and Contingencies (Future   HTML     80K  
                Minimum Rental Commitments) (Details)                            
74: R116        Commitments, Guarantees and Contingencies           HTML    101K 
                (Obligations under Guarantee Arrangements)                       
                (Details)                                                        
186: R117        Regulatory Requirements (Narrative) (Details)       HTML     81K  
39: R118        Regulatory Requirements (Capital Measures)          HTML     98K 
                (Details)                                                        
132: R119        Regulatory Requirements (Significant U.S. Bank      HTML     85K  
                Operating Subsidiaries' Capital) (Details)                       
156: R120        Total Equity (Narrative) (Details)                  HTML    253K  
28: R121        Total Equity (Changes in Shares of Common Stock     HTML     68K 
                Outstanding) (Details)                                           
128: R122        Total Equity (Preferred Stock Outstanding)          HTML     72K  
                (Details)                                                        
115: R123        Total Equity (Components of Accumulated Other       HTML     83K  
                Comprehensive Income (Loss)) (Details)                           
30: R124        Total Equity (Cumulative Foreign Currency           HTML     70K 
                Translation Adjustments, Net of Tax) (Details)                   
134: R125        Total Equity (Changes in Ownership in               HTML     76K  
                Subsidiaries) (Details)                                          
189: R126        Earnings Per Common Share (Calculation of Basic     HTML    234K  
                and Diluted EPS) (Details)                                       
40: R127        Earnings Per Common Share (Antidilutive Securities  HTML     66K 
                Excluded from the Computation of Diluted EPS)                    
                (Details)                                                        
76: R128        Interest Income and Interest Expense (Details)      HTML    111K 
163: R129        Sale of Bankruptcy Claims Related to a Derivative   HTML     70K  
                Counterparty (Narrative) (Details)                               
188: R130        Other Revenues (Details)                            HTML     85K  
110: R131        Employee Stock-based Compensation Plans             HTML    115K  
                (Narratives) (Details)                                           
129: R132        Employee Stock-based Compensation Plans             HTML     66K  
                (Components of Stock-based Compensation Expense)                 
                (Details)                                                        
41: R133        Employee Stock-based Compensation Plans (Activity   HTML     83K 
                Relating to Vested and Unvested RSUs) (Details)                  
46: R134        Employee Stock-based Compensation Plans (Activity   HTML     94K 
                Relating to Unvested Restricted Stock Units)                     
                (Details)                                                        
99: R135        Employee Stock-based Compensation Plans (Fair       HTML     71K 
                Value Assumptions) (Details)                                     
78: R136        Employee Stock-based Compensation Plans (Activity   HTML     90K 
                Relating to Stock Options) (Details)                             
153: R137        Employee Stock-based Compensation Plans (Stock      HTML     89K  
                Options Outstanding) (Details)                                   
104: R138        Employee Benefit Plans (Narratives) (Details)       HTML     83K  
73: R139        Employee Benefit Plans (Components of Net Periodic  HTML     94K 
                Benefit Expense) (Details)                                       
105: R140        Employee Benefit Plans (Other Changes in Plan       HTML     84K  
                Assets and Benefit Obligations Recognized in Other               
                Comprehensive Loss (Income) on a Pre-tax Basis)                  
                (Details)                                                        
57: R141        Employee Benefit Plans (Weighted Average            HTML     68K 
                Assumptions Used to Determine Net Periodic Benefit               
                Costs) (Details)                                                 
23: R142        Employee Benefit Plans (Reconciliation of Changes   HTML    134K 
                in Benefit Obligation and Fair Value of Plan                     
                Assets) (Details)                                                
165: R143        Employee Benefit Plans (Summary of Funded Status)   HTML     94K  
                (Details)                                                        
142: R144        Employee Benefit Plans (Pension Plans with          HTML     61K  
                Projected Benefit Obligations in Excess of Fair                  
                Value of Plan Assets) (Details)                                  
50: R145        Employee Benefit Plans (Pension Plans with          HTML     62K 
                Accumulated Benefit Obligations in Excess of Fair                
                Value of Plan Assets) (Details)                                  
131: R146        Employee Benefit Plans (Weighted Average            HTML     62K  
                Assumptions Used to Determine Benefit Obligations)               
                (Details)                                                        
109: R147        Employee Benefit Plans (Assumed Health Care Cost    HTML     69K  
                Trend Rates Used to Determine the Postretirement                 
                Benefit Obligations) (Details)                                   
48: R148        Employee Benefit Plans (Effects of a                HTML     67K 
                One-Percentage Point Change in Assumed Health Care               
                Cost Trend Rates) (Details)                                      
51: R149        Employee Benefit Plans (Fair Value of Net Pension   HTML    139K 
                Plan Assets) (Details)                                           
147: R150        Employee Benefit Plans (Changes in Level 3 Pension  HTML     80K  
                Assets and Liabilities Measured at Fair Value)                   
                (Details)                                                        
68: R151        Employee Benefit Plans (Expected Benefit Payments   HTML     74K 
                Associated with the Pension and Postretirement                   
                Benefit Plans) (Details)                                         
26: R152        Income Taxes (Provision for (Benefit from) Income   HTML    121K 
                Taxes from Continuing Operations) (Details)                      
120: R153        Income Taxes (Reconciliation of the Provision for   HTML    110K  
                (Benefit from) Income Taxes and the U.S. Federal                 
                Statutory Income Tax Rate) (Details)                             
149: R154        Income Taxes (Significant Components of Deferred    HTML    142K  
                Tax Assets and Liabilities) (Details)                            
34: R155        Income Taxes (U.S. and Non-U.S. Components of       HTML     66K 
                Income Before Income Tax Expense (Benefit) and                   
                Extraordinary Gain) (Details)                                    
59: R156        Income Taxes (Reconciliation of Unrecognized Tax    HTML     85K 
                Benefits) (Details)                                              
191: R157        Income Taxes (Major Tax Jurisdictions in Which the  HTML     61K  
                Company and Affiliates Operate and the Earliest                  
                Tax Year Subject to Examination) (Details)                       
66: R158        Segment and Geographic Information (Selected        HTML    229K 
                Financial Information by Segments) (Details)                     
90: R159        Segment and Geographic Information (Net Interest    HTML     81K 
                by Segments) (Details)                                           
103: R160        Segment and Geographic Information (Assets by       HTML     61K  
                Segments) (Details)                                              
161: R161        Segment and Geographic Information (Net Revenues    HTML     72K  
                and Assets by Geographic Area) (Details)                         
88: R162        Equity Method Investments (Investees) (Details)     HTML    104K 
179: R163        Equity Method Investments (Narratives) (Details)    HTML    119K  
136: R164        Discontinued Operations (Details)                   HTML    110K  
187: R165        Parent Company - (Narrative) (Details)              HTML     67K  
32: R166        Parent Company - (Condensed Statements of           HTML    190K 
                Financial Condition) (Details)                                   
170: R167        Parent Company - (Condensed Statements of Income    HTML    164K  
                and Comprehensive Income) (Details)                              
71: R168        Parent Company - (Condensed Statements of Cash      HTML    194K 
                Flows) (Details)                                                 
130: R169        Quarterly Results (Details)                         HTML    183K  
116: R170        Subsequent Events (Details)                         HTML     65K  
185: XML         IDEA XML File -- Filing Summary                      XML    322K  
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125: ZIP         XBRL Zipped Folder -- 0001193125-12-081807-xbrl      Zip    866K  


‘EX-4.4’   —   Seventh Supplemental Senior Indenture, Dated as of November 21, 2011


This Exhibit is an HTML Document rendered as filed.  [ Alternative Formats ]



  Seventh Supplemental Senior Indenture, dated as of November 21, 2011  

EXHIBIT 4.4

 

 

SEVENTH SUPPLEMENTAL SENIOR INDENTURE

BETWEEN

MORGAN STANLEY

AND

THE BANK OF NEW YORK MELLON

as successor to JPMorgan Chase Bank, N.A. (formerly known as

JPMorgan Chase Bank), Trustee

 

 

Dated as of November 21, 2011

 

 

SUPPLEMENTAL TO SENIOR INDENTURE

DATED AS OF NOVEMBER 1, 2004

 

 


SEVENTH SUPPLEMENTAL SENIOR INDENTURE, dated as of November 21, 2011 (the “Seventh Supplemental Senior Indenture), between Morgan Stanley, a Delaware corporation (the “Issuer”), and The Bank of New York Mellon as successor to JPMorgan Chase Bank, N.A. (formerly known as JPMorgan Chase Bank), as trustee (the “Trustee”) and, for purposes of Article Two hereof, as Paying Agent (as defined below). Terms not defined herein shall have the meanings given to them pursuant to the Indenture, as defined below.

W I T N E S S E T H:

WHEREAS, the Issuer and the Trustee are parties to that certain Senior Indenture dated as of November 1, 2004 (as supplemented by the First Supplemental Senior Indenture, dated as of September 4, 2007, between the Issuer and the Trustee, the Second Supplemental Senior Indenture, dated as of January 4, 2008, between the Issuer and the Trustee, the Third Supplemental Senior Indenture, dated as of September 10, 2008, between the Issuer and the Trustee, the Fourth Supplemental Senior Indenture, dated as of December 1, 2008, between the Issuer and the Trustee, the Fifth Supplemental Senior Indenture, dated as of April 1, 2009, between the Issuer and the Trustee and the Sixth Supplemental Senior Indenture, dated as of September 16, 2011, between the Issuer and the Trustee, the Indenture);

WHEREAS, Section 8.01 of the Indenture provides that, without the consent of Holders of any Securities or Coupons, the Issuer, when authorized by a resolution of its Board of Directors, and the Trustee may enter into indentures supplemental to the Indenture for the purpose of, among other things, making any provisions as the Issuer may deem necessary or desirable, subject to the conditions set forth therein and provided that no such action shall adversely affect the interests of the Holders of the Securities or Coupons;

WHEREAS, the Issuer desires (i) to add to and modify certain provisions of the Indenture to allow for the issuance of Registered Global Securities under the structure prescribed by the European Central Bank for securities to be potentially eligible to be pledged as collateral in European central banking and monetary operations and (ii) to modify the conditions to the effectuation of Unregistered Securities in NGN form;

WHEREAS, the Issuer, pursuant to an agreement between the Issuer and Euroclear Bank S.A./N.V. and Clearstream Banking S.A. (the “ICSDs”) dated November 21, 2011, wishes to establish procedures whereby the Trustee, acting through its corporate trust office in London, England, in its capacity as principal paying agent (the “Paying Agent”) for Securities issued under the Indenture outside the United States, will comply with the requirements for paying agents established by the ICSDs with respect to global registered notes issued under the New Safekeeping Structure (the “NSS Notes”);

 

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WHEREAS, the entry into this Seventh Supplemental Senior Indenture by the parties hereto is in all respects authorized by the provisions of the Indenture; and

WHEREAS, all things necessary to make this Seventh Supplemental Senior Indenture a valid indenture and agreement in accordance with its terms have been done.

NOW, THEREFORE, for and in consideration of the premises, the Issuer and the Trustee mutually covenant and agree for the equal and proportionate benefit of the respective Holders from time to time of the Securities and of the Coupons, if any, appertaining thereto as follows:

ARTICLE ONE

1.1. Application of Article One. The provisions of this Article One shall apply to (a) Holders of all Securities issued under the Indenture and Outstanding at the date hereof and (b) Holders of any Securities that may be issued under the Indenture subsequent to the date hereof.

1.2. Amendment of Section 1.01. Section 1.01 of the Indenture is hereby amended by:

(a) amending and restating the definition of “CSK” to read in its entirety as follows:

“CSK” means, with respect to Unregistered Securities issued in NGN form or Registered Global Securities issued under the NSS, the entity appointed as common safe-keeper by Euroclear Bank S.A./N.V. and Clearstream Banking, société anonyme.’;

(b) adding after the definition of “NGN form” a new defined term as follows: ‘“NSS” or “New Safekeeping Structure” means the structure under which Registered Global Securities intended to be recognized as eligible collateral for Eurosystem monetary policy and intraday credit operations need be issued. Registered Global Securities issued under the NSS shall be registered in the name of a nominee of the CSK and safekept by the CSK.’;

(c) amending and restating the introductory clause of the definition of “Outstanding” to read as follows:

‘“Outstanding” when used with reference to Securities, shall, subject to the provisions of Section 7.04, mean, as of any particular time, all Securities authenticated and delivered by the Trustee under this Indenture (and, in the case of Securities issued in NGN form or issued under the NSS, effectuated by the CSK), except’

 

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(d) amending and restating subsection (c) of the definition of “Outstanding” to read in its entirety as follows:

‘(c) Securities which shall have been paid or in substitution for which other Securities shall have been authenticated and delivered (and, in the case of Securities issued in NGN form or issued under the NSS, effectuated by the CSK) pursuant to the terms of Section 2.09 (except with respect to any such Security as to which proof satisfactory to the Trustee is presented that such Security is held by a person in whose hands such Security is a legal, valid and binding obligation of the Issuer).’; and

(e) amending and restating the definition of “Security” or “Securities” to read in its entirety as follows:

‘“Security” or “Securities” has the meaning stated in the first recital of this Indenture, or, as the case may be, Securities that have been authenticated and delivered under this Indenture (and, in the case of Securities issued in NGN form or issued under the NSS, effectuated by the CSK).’

1.3. Amendment of Section 2.03. Section 2.03(o) is hereby amended and restated to read in its entirety as follows:

“(o) whether the Securities of the series will be issuable as Registered Securities (and if so, whether such Securities will be issuable as Registered Global Securities and under the NSS or not) or Unregistered Securities (with or without Coupons and in NGN form or not), or any combination of the foregoing, any restrictions applicable to the offer, sale, transfer, exchange or delivery of Unregistered Securities or Registered Securities or the payment of interest thereon and, if other than as provided in Section 2.08, the terms upon which Unregistered Securities of any series may be exchanged for Registered Securities of such series and vice versa;”

1.4. Amendment of Section 2.04.

(i) Section 2.04(a) is hereby amended by deleting the first sentence thereof, and replacing it in its entirety with the following: “The Issuer may deliver Securities of any series having attached thereto appropriate Coupons, if any, executed by the Issuer to the Trustee for authentication together with the applicable documents referred to below in this Section, and the Trustee shall thereupon authenticate and deliver such Securities to or upon the order of the Issuer (contained in the Issuer Order referred to below in this Section) or pursuant to such procedures acceptable to the Trustee and to such recipients as may be specified from time to time by an Issuer Order, and, if such Securities are issued in NGN form or issued under the NSS and such Issuer Order so specifies, shall instruct, or shall cause a paying agent therefor to instruct, the CSK to effectuate such Securities.”; and

 

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(ii) Section 2.04(a)(iv)(C) of the Indenture is hereby amended and restated to read in its entirety as follows:

“(C) when the Securities and Coupons, if any, have been executed by the Issuer and authenticated by the Trustee in accordance with the provisions of this Indenture, and, in the case of Securities issued in NGN form or issued under the NSS, effectuated by the CSK, and delivered to and duly paid for by the purchasers thereof, they will have been duly issued under this Indenture and will be valid and binding obligations of the Issuer, enforceable in accordance with their respective terms, and will be entitled to the benefits of this Indenture; and”.

(iii) The penultimate paragraph of Section 2.04 of the Indenture is hereby amended and restated to read in its entirety as follows:

“If the Issuer shall establish pursuant to Section 2.03 that the Securities of a series are to be issued in the form of one or more Registered Global Securities, then the Issuer shall execute and the Trustee shall, in accordance with this Section and the Issuer Order with respect to such series, authenticate and deliver, and, if such Securities are issued under the NSS, shall instruct, or shall cause a paying agent therefor to instruct, the CSK to effectuate, one or more Registered Global Securities that (i) shall represent and shall be denominated in an amount equal to the aggregate principal amount of all of the Securities of such series issued and not yet cancelled, (ii) shall be registered in the name of the Depositary for such Registered Global Security or Securities or the nominee of such Depositary, (iii) shall be delivered by the Trustee to such Depositary or pursuant to such Depositary’s instructions and (iv) shall bear a legend substantially to the following effect: “Unless and until it is exchanged in whole or in part for Securities in definitive registered form, this Security may not be transferred except as a whole by the Depositary to the nominee of the Depositary or by a nominee of the Depositary to the Depositary or another nominee of the Depositary or by the Depositary or any such nominee to a successor Depositary or a nominee of such successor Depositary.”

1.5. Amendment of Section 2.05. Section 2.05 of the Indenture is hereby amended by deleting the “.” after the last sentence of the first paragraph and adding thereafter the following: “and, in the case of any Security issued in NGN form or issued under the NSS, effectuated by the CSK.”

1.6. Amendment of Section 2.06. Section 2.06 of the Indenture is hereby amended and restated to read in its entirety as follows:

“Section 2.06. Certificate of Authentication; Effectuation Instruction. Only such Securities as shall bear thereon a certificate of authentication substantially in the form hereinbefore recited, executed by the Trustee by the

 

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manual signature of one of its authorized signatories, and shall be, in the case of Securities issued in NGN form or issued under the NSS, effectuated by the CSK by the manual or facsimile signature of one of its authorized signatories, shall be entitled to the benefits of this Indenture or be valid or obligatory for any purpose. No Coupon shall be entitled to the benefits of this Indenture or shall be valid and obligatory for any purpose until the certificate of authentication on the Security to which such Coupon appertains shall have been duly executed by the Trustee, and, in the case of Securities issued in NGN form or issued under the NSS, such Security shall have been effectuated by the CSK as aforesaid. The execution of the certificate of authentication by the Trustee upon any Security executed by the Issuer, and, in the case of Securities issued in NGN form or issued under the NSS, evidence via facsimile transmission, electronic means or such other evidence in writing as may be acceptable to the Trustee of the execution by the CSK of the certificate of effectuation on such Security, shall be conclusive evidence that the Security so authenticated, and effectuated if applicable, has been duly authenticated, and effectuated if applicable, and delivered hereunder and that the Holder is entitled to the benefits of this Indenture.”

1.7. Amendment of Section 2.08. Section 2.08 of the Indenture is hereby amended by:

(a) deleting the “.”at the end of the second paragraph and adding thereafter the following: “; provided that, with respect to any Registered Security or Registered Securities of any series to be issued under the NSS, the Trustee shall instruct, or shall cause a paying agent therefor to instruct, the CSK to effectuate such Registered Security or Registered Securities and such Registered Securities shall have been effectuated by the CSK.”

(b) amending and restating the penultimate sentence of the fourth paragraph to read in its entirety as follows:

“Whenever any Securities are so surrendered for exchange, the Issuer shall execute, and the Trustee shall authenticate and deliver, the Securities that the Holder making the exchange is entitled to receive; provided, that with respect to any such Securities to be issued in NGN form or issued under the NSS, the Trustee shall instruct or shall cause a paying agent therefor to instruct the CSK to effectuate such Securities and such Securities shall have been effectuated by the CSK.”

1.8. Amendment of Section 2.09. Section 2.09 of the Indenture is hereby amended by:

(a) amending and restating the first sentence of the first paragraph to read in its entirety as follows:

“In case any temporary or definitive Security or any Coupon appertaining to any Security shall become mutilated, defaced or be destroyed, lost or stolen, the

 

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Issuer in its discretion may execute, and upon the written request of any officer of the Issuer, the Trustee shall authenticate and deliver a new Security of the same series, maturity date, interest rate and original issue date, bearing a number or other distinguishing symbol not contemporaneously outstanding, in exchange and substitution for the mutilated or defaced Security, or in lieu of and in substitution for the Security so destroyed, lost or stolen with Coupons corresponding to the Coupons appertaining to the Securities so mutilated, defaced, destroyed, lost or stolen, or in exchange or substitution for the Security to which such mutilated, defaced, destroyed, lost or stolen Coupon appertained, with Coupons appertaining thereto corresponding to the Coupons so mutilated, defaced, destroyed, lost or stolen; provided, that with respect to any such Security to be issued in NGN form or issued under the NSS, the Trustee shall instruct, or shall cause a paying agent to instruct, the CSK to effectuate such Security and such Security shall have been effectuated by the CSK.”; and

(b) in the first sentence of the third paragraph thereof after the phrase “of such series duly authenticated and delivered” and before the word “hereunder” inserting “(and, in the case of Securities issued in NGN form or issued under the NSS, effectuated by the CSK)”.

1.9. Amendment of Section 2.11. Section 2.11 is hereby amended and restated in its entirety to read as follows:

“Section 2.11. Temporary Securities. Pending the preparation of definitive Securities for any series, the Issuer may execute and the Trustee shall authenticate and deliver temporary Securities for such series (printed, lithographed, typewritten or otherwise reproduced, in each case in form satisfactory to the Trustee). Temporary Securities of any series shall be issuable as Registered Securities without coupons, or as Unregistered Securities with or without coupons attached thereto, of any authorized denomination, and substantially in the form of the definitive Securities of such series but with such omissions, insertions and variations as may be appropriate for temporary Securities, all as may be determined by the Issuer with the concurrence of the Trustee as evidenced by the execution and authentication, and, in the case of Temporary Securities issued in NGN form or issued under the NSS, effectuation thereof. Temporary Securities may contain such references to any provisions of this Indenture as may be appropriate. Every Temporary Security shall be executed by the Issuer, be authenticated by the Trustee and, in the case of Temporary Securities issued in NGN form or issued under the NSS, the Trustee shall instruct, or shall cause a paying agent to instruct, the CSK to effectuate such Temporary Security, upon the same conditions and in substantially the same manner, and with like effect, as the definitive Securities. Without unreasonable delay the Issuer shall execute and shall furnish definitive Securities of such series and thereupon temporary Registered Securities of such series may be surrendered in exchange therefor without charge at each office or agency to be maintained by the Issuer for that purpose pursuant to Section 3.02 and, in the case of Unregistered Securities, at any agency maintained by the Issuer for such purpose as specified pursuant to

 

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Section 2.03, and the Trustee shall authenticate and deliver, and, in the case of Temporary Securities issued in NGN form or issued under the NSS, instruct or cause a paying agent to instruct the CSK to effectuate, in exchange for such temporary Securities of such series an equal aggregate principal amount of definitive Securities of the same series having authorized denominations and, in the case of Unregistered Securities, having attached thereto any appropriate Coupons. Until so exchanged, the temporary Securities of any series shall be entitled to the same benefits under this Indenture as definitive Securities of such series, unless otherwise established pursuant to Section 2.03. The provisions of this Section are subject to any restrictions or limitations on the issue and delivery of temporary Unregistered Securities of any series that may be established pursuant to Section 2.03 (including any provision that Unregistered Securities of such series initially be issued in the form of a single global Unregistered Security to be delivered to a depositary or agency located outside the United States and the procedures pursuant to which definitive or global Unregistered Securities of such series would be issued in exchange for such temporary global Unregistered Security).”

1.10. Amendment of Section 6.02. Section 6.02 is hereby amended by removing “and” at the end of Section 6.02(f) and adding “and” at the end of Section 6.02(g), and Section 6.02(h) is hereby amended and restated to read in its entirety as follows:

“(h) neither the Trustee nor any paying agent shall be liable for any failure on the part of the CSK to effectuate any Security issued in NGN form or under the NSS or for any failure on the part of the CSK to do so in a timely manner, unless it shall be proved that the Trustee or the paying agent was negligent in instructing the CSK to effectuate any such Security in accordance with the applicable provision hereof; provided, that the Trustee or paying agent shall not be deemed to have acted with negligence if it shall have given such instructions in the manner and by the time prescribed by the CSK, provided further that in the absence of any such prescribed manner or timing, the Trustee or paying agent shall be entitled to give, and shall incur no liability hereunder if it shall give, such instructions by facsimile transmission (without any requirement for telephonic confirmation) to a telephone number provided by the CSK for such purpose or by email to an email address provided by the CSK for such purpose and shall be protected in giving and shall incur no liability hereunder in giving such instructions no later than one Business Day after the applicable Security shall have been delivered to the Trustee for authentication.”

1.11. Amendment of Section 6.14. The second sentence of the first paragraph of Section 6.14 is hereby amended and restated to read in its entirety as follows:

“Securities of each such series authenticated by such Authenticating Agent, and, if such Securities are issued in NGN form or issued under the NSS, effectuated by the CSK, shall be entitled to the benefits of this Indenture and shall be valid and obligatory for all purposes as if authenticated by the Trustee.”

 

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1.12. Amendment of Section 8.05. The second sentence of Section 8.05 is hereby amended and restated to read in its entirety as follows:

“If the Issuer or the Trustee shall so determine, new Securities of any series so modified as to conform, in the opinion of the Trustee and the Board of Directors, to any modification of this Indenture contained in any such supplemental indenture may be prepared by the Issuer, authenticated by the Trustee, and, in the case of Securities issued in NGN form or issued under the NSS, effectuated by the CSK, and delivered in exchange for the Securities of such series then Outstanding.”

1.13. Amendment of Section 12.03. The fourth paragraph of Section 12.03 is hereby amended and restated to read in its entirety as follows:

“Upon presentation of any Security redeemed in part only, the Issuer shall execute and the Trustee shall authenticate and deliver to or on the order of the Holder thereof, at the expense of the Issuer, a new Security or Securities of such series, of authorized denominations, in principal amount equal to the unredeemed portion of the Security so presented; provided, that with respect to any such new Security or Securities to be issued in NGN form or issued under the NSS, the Trustee shall instruct, or shall cause a paying agent to instruct, the CSK to effectuate such Security or Securities and such Security or Securities shall have been effectuated by the CSK.”

ARTICLE TWO

2.01. Additional Responsibilities of the Paying Agent regarding the NSS Notes

(a) The Paying Agent will inform the ICSDs (through the common service provider (the “CSP”) appointed by the ICSDs to service the NSS Notes) of the initial issue outstanding amount (“IOA”) for such NSS Notes on or prior to the applicable closing date;

(b) If any event occurs that requires a mark-up or mark-down of the records that an ICSD holds for its customers to reflect such customers’ interest in any NSS Note, the Paying Agent will promptly provide details of the amount of such mark-up or mark-down, together with a description of the event that requires it, to the ICSDs (through the CSP);

(c) The Paying Agent will, prior to each payment on any NSS Note, compare its records of the IOA of any NSS Note with information received from the ICSDs (through the CSP) with respect to the records reflecting the IOA maintained by the ICSDs for such NSS Note and will promptly inform the ICSDs (through the CSP) of any discrepancies;

 

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(d) The Paying Agent will promptly assist the ICSDs (through the CSP) in resolving any discrepancy identified in the records reflecting the IOA of any NSS Note;

(e) The Paying Agent will promptly provide to the ICSDs (through the CSP) details of all amounts paid under any NSS Note (or, where such NSS Note provides for delivery of assets other than cash, of the assets so delivered);

(f) The Paying Agent will promptly provide to the ICSDs (through the CSP) notice of any changes to any NSS Note known to the Paying Agent that will affect the amount of, or date for, any payment due under such NSS Note;

(g) The Paying Agent will promptly provide to the ICSDs (through the CSP) copies of all notices in its possession that are given by or on behalf of the Issuer to the holders of any NSS Note;

(h) The Paying Agent will promptly pass on to the Issuer all communications it receives from the ICSDs directly or through the CSP relating to any NSS Note. Any such notice shall be deemed to have been conclusively given by being sent by facsimile to the Issuer, Attention: Treasurer’s Office, (212) 762-0337, and by being deposited postage prepaid, first class mail addressed (until another address of the Issuer is filed by the Issuer with the Paying Agent) to Morgan Stanley, 1585 Broadway, New York, New York 10036, Attention: Secretary; and

(i) The Paying Agent will promptly notify the ICSDs (through the CSP) of any failure by the Issuer to make any payment or delivery due under any issuance of NSS Notes when due.

2.02. Certain Rights of the Paying Agent. For avoidance of doubt, the rights, protections and exculpations available to the Trustee under the Indenture shall also be available to the Trustee in each of its capacities thereunder, including as Paying Agent.

ARTICLE THREE

3.01. Further Assurances. The Issuer will, upon request by the Trustee, execute and deliver such further instruments and do such further acts as may reasonably be necessary or proper to carry out more effectively the purposes of this Seventh Supplemental Senior Indenture.

3.02. Other Terms of Indenture. Except insofar as herein otherwise expressly provided, all provisions, terms and conditions of the Indenture are in all respects ratified and confirmed and shall remain in full force and effect.

3.03. Terms Defined. All terms defined elsewhere in the Indenture shall have the same meanings when used herein.

 

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3.04. Governing Law. This Seventh Supplemental Senior Indenture shall be deemed to be a contract under the laws of the State of New York, and for all purposes shall be construed in accordance with the laws of such State, except as may otherwise be required by mandatory provisions of law.

3.05. Counterparts. This Seventh Supplemental Senior Indenture may be executed in any number of counterparts, each of which shall be an original; but such counterparts shall together constitute but one and the same instrument.

3.06. Responsibility of the Trustee. The recitals contained herein shall be taken as the statements of the Issuer, and the Trustee assumes no responsibility for the correctness of the same. The Trustee makes no representations as to the validity or sufficiency of this Seventh Supplemental Senior Indenture.

 

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IN WITNESS WHEREOF, the parties hereto have caused this Seventh Supplemental Senior Indenture to be duly executed by the Issuer and the Trustee under their respective corporate seals as of the day and year first written above.

 

MORGAN STANLEY
By:   /s/ John M. Ryan        
  Name:   John M. Ryan
  Title:   Assistant Treasurer

 

Attest:
By:   /s/ W. Gary Beeson        
  Name:   W. Gary Beeson
  Title:   Assistant Secretary and Counsel

 

THE BANK OF NEW YORK MELLON,

      as Trustee and, for purposes of Article

      Two hereof, as Paying Agent

By:   /s/ Francine J. Kincaid        
  Name:   Francine J. Kincaid
  Title:   Vice President

 

Attest:
By:   /s/ Timothy W. Casey        
  Name:   Timothy W. Casey
  Title:   Vice President

 

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STATE OF NEW YORK       )
      ) ss.:
COUNTY OF NEW YORK       )

On the 21st day of November, 2011, before me personally came John M. Ryan, to me known, who, being by me duly sworn, did depose and say that he is an Assistant Treasurer of Morgan Stanley, one of the corporations described in and which executed the foregoing instrument; that he knows the corporate seal of said corporation; that the seal affixed to said instrument is such corporate seal; that it was so affixed by authority of the Board of Directors of said corporation, and that he signed his name thereto by like authority.

 

/s/ Cindy S. Buckholz        
Notary Public

 

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STATE OF NEW YORK       )
      ) ss.:
COUNTY OF NEW YORK       )

On the 21st day of November, 2011, before me personally came Francine J. Kincaid, to me known, who, being by me duly sworn, did depose and say that she is a Vice President of The Bank of New York Mellon, one of the corporations described in and which executed the foregoing instrument; that she knows the corporate seal of said corporation; that the seal affixed to said instrument is such corporate seal; that it was so affixed by authority of the Board of Directors of said corporation, and that she signed her name thereto by like authority.

 

/s/ Joel V. Beaver        
Notary Public

 

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Dates Referenced Herein   and   Documents Incorporated by Reference

This ‘10-K’ Filing    Date    Other Filings
Filed on:2/27/123,  4,  424B2,  FWP
For Period end:12/31/1111-K,  13F-HR,  ARS
11/21/114,  424B2,  424B3,  FWP,  S-3ASR
9/16/11424B2,  FWP,  SC 13G
4/1/09FWP
12/1/084,  424B2,  8-K,  FWP
9/10/08FWP,  SC 13G/A
1/4/088-K
9/4/074,  424B2
11/1/04
 List all Filings 


7 Subsequent Filings that Reference this Filing

  As Of               Filer                 Filing    For·On·As Docs:Size             Issuer                      Filing Agent

 2/22/24  Morgan Stanley                    10-K       12/31/23  224:45M
 2/24/23  Morgan Stanley                    10-K       12/31/22  227:50M
 2/24/22  Morgan Stanley                    10-K       12/31/21  225:51M
 2/26/21  Morgan Stanley                    10-K       12/31/20  225:50M
 2/26/13  SEC                               UPLOAD9/22/17    1:33K  Morgan Stanley
 1/22/13  SEC                               UPLOAD9/22/17    1:183K Morgan Stanley
 6/25/12  SEC                               UPLOAD9/22/17    1:192K Morgan Stanley
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